Amos v. Moore ( 2014 )


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  • An unpublished opinion of the North Carolina Court of Appeals does not constitute
    controlling legal authority. Citation is disfavored, but may be permitted in accordance
    with the provisions of Rule 30(e)(3) of the North Carolina Rules of Appellate Procedure.
    NO. COA13-963
    NORTH CAROLINA COURT OF APPEALS
    Filed:     20 May 2014
    The Estate of BETTY ANN W. AMOS,
    by and through BARBARA A. WILLIAMS
    and JUDY A. JAMES in their
    capacities as CO-EXECUTORS of The
    Estate of BETTY ANN W. AMOS,
    Plaintiffs
    v.                                      Forsyth County
    No. 12 CVS 4964
    W. Scott Moore, M.D.; NEPHROLOGY
    ASSOCIATES, P.L.L.C.; NOVANT
    HEALTH, INC.; and FORSYTH MEMORIAL
    HOSPITAL, INC., both d/b/a FORSYTH
    MEDICAL CENTER,
    Defendants
    Appeal by plaintiffs from order entered 10 May 2013 by
    Judge   R.   Stuart     Albright     in   Forsyth    County    Superior     Court.
    Heard in the Court of Appeals 8 January 2014.
    Hedrick Gardner Kincheloe & Garofalo, LLP, by Patricia P.
    Shields, Maureen R. McDonald, and Joshua D. Neighbors, for
    plaintiff-appellants.
    Carruthers & Roth, P.A., by Norman F. Klick, Jr., Richard
    L. Vanore, and Robert N. Young, for defendant-appellees W.
    Scott Moore, M.D. and Nephrology Associates, P.L.L.C.
    Coffey Bomar, LLP, by J. Chad Bomar, Tamura D. Coffey, and
    J. Rebekah Biggerstaff, for defendant-appellees Novant
    Health, Inc. and Forsyth Memorial Hospital, Inc. both d/b/a
    Forsyth Medical Center.
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    CALABRIA, Judge.
    Barbara A. Williams and Judy A. James (“plaintiffs”), co-
    executors    of    the   Estate       of    Betty    Ann     W.   Amos   (“decedent”),
    appeal from an order imposing the sanction of dismissing their
    complaint against W. Scott Moore, M.D. (“Dr. Moore”); Nephrology
    Associates,       P.L.L.C.;     and        Novant    Health,      Inc.   and     Forsyth
    Memorial    Hospital,     Inc.,       both        d/b/a    Forsyth   Medical      Center
    (“FMC”) (collectively “defendants”) pursuant to Rules 9(j), 11,
    and 41 of the North Carolina Rules of Civil Procedure.                                We
    reverse.
    On    the    morning      of     2     November       2007,    decedent     began
    exhibiting    symptoms     of     a    “cerebral          vascular   accident”     while
    undergoing dialysis at the King Dialysis Center.                         Decedent was
    taken by ambulance to the FMC emergency department, where she
    was   assessed     and   treated.           Dr.     Moore,    decedent’s       attending
    physician, admitted her to the FMC renal ward, where she was
    administered heparin.           Over the next several hours, decedent’s
    condition continued to decline.                   Decedent complained of intense
    and severe pain in her head and repeatedly vomited over a period
    of eight hours, but FMC nursing staff refused to call Dr. Moore.
    A CT scan later revealed a large right intracranial cerebral
    hemorrhage.       Decedent was transferred to palliative care, where
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    she died on the evening of 3 November 2007.
    Plaintiffs sought the advice of attorney J. Carlyle Hearn,
    II (“Hearn”) in late November or early December 2007 regarding
    potential    wrongful        death   claims.        Hearn   agreed     to    represent
    plaintiffs and confirmed the terms of his engagement in a letter
    to plaintiffs dated 6 February 2008.                     After Hearn reviewed a
    “rather     comprehensive”       copy     of        decedent’s    medical         records
    regarding her treatment at FMC (the “2007 treatment records”),
    Hearn     searched     for     potential       expert       witnesses       to     review
    decedent’s    care.          Overall,     Hearn       contacted      six     to     eight
    potential experts.
    Since plaintiffs were required to file a wrongful death
    complaint within two years of decedent’s death, Hearn filed a
    motion to extend the statute of limitations on 28 October 2009.
    According    to      Hearn’s    motion,        he    “need[ed]    to       secure     all
    pertinent medical records of the decedent . . . and, pursuant to
    N.C.R. Civ. Pro. 9(j), [decedent’s] medical treatment must be
    reviewed by a person or persons who are reasonably expected to
    qualify as an expert witness(es)[.]”                  The trial court found good
    cause     existed to extend the statute of limitations, and granted
    an extension until 2 March 2010.
    After Hearn secured experts who were willing to testify
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    that defendants breached the standard of care, he was able to
    provide Rule 9(j) certifications during the extension period.
    Plaintiffs       filed    their        initial      complaint      on    2    March    2010,
    alleging, inter alia, that Dr. Moore negligently failed to order
    a    neurological       consult    for    decedent,        and    that       FMC’s    nursing
    staff failed to properly monitor, respond, and care for decedent
    or    to    contact      decedent’s        attending         physician        after    being
    notified on several occasions that she was in severe pain and
    repeatedly vomiting over a period of eight hours.                                Defendants
    filed a motion to set aside the extension to the statute of
    limitations and a motion to dismiss.                         Plaintiffs voluntarily
    dismissed     their      complaint,       without      prejudice,        in    July        2011.
    Plaintiffs refiled their complaint in July 2012.                                 Defendants
    again filed motions to set aside the extension to the statute of
    limitations and to dismiss plaintiffs’ complaint.
    On   10    May    2013,    the     trial      court    concluded        that        Hearn
    “knowingly and intentionally made a material misrepresentation
    to the Court that he needed to collect pertinent medical records
    when he moved the court for an extension of the statute of
    limitations[,]”          and    that     “[n]o      good   cause      existed        for    the
    granting     of    the     motion       for      extension       of     the    statute       of
    limitations.”       The        trial     court      entered      an      order       granting
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    defendants’ motion to dismiss pursuant to Rules 9(j), 11, and
    41.   Plaintiffs appeal.
    The issue before this Court is whether the trial court
    erred by concluding that no good cause existed for the granting
    of an extension of the statute of limitations and imposing the
    sanction of dismissing plaintiffs’ complaint pursuant to Rules
    9(j), 11, and 41 of the North Carolina Rules of Civil Procedure.
    The   trial   court’s   decision    to   impose   or   not   impose
    mandatory sanctions pursuant to N.C. Gen. Stat. § 1A-1, Rule
    11(a) is reviewable de novo as a legal issue.           Turner v. Duke
    Univ., 
    325 N.C. 152
    , 165, 
    381 S.E.2d 706
    , 714 (1989).               This
    Court determines whether the findings of fact are supported by a
    sufficiency of the evidence, whether the conclusions of law are
    supported by the findings, and whether the conclusions support
    the trial court’s judgment.      
    Id.
         “If the appellate court makes
    these three determinations in the affirmative, it must uphold
    the trial court’s decision to impose or deny the imposition of
    mandatory sanctions[.]” 
    Id.
    Rule 11 of the North Carolina Rules of Civil Procedure
    requires that every filed motion be (1) well grounded in fact
    after reasonable inquiry; (2) warranted by existing law or a
    good faith argument for the extension, modification, or reversal
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    of    existing    law;     and    (3)    not     interposed     for     any    improper
    purpose, such as to cause unnecessary delay.                     N.C. Gen. Stat. §
    1A-1, Rule 11(a) (2013).               Generally, both parties and attorneys
    may   be    subject   to    sanctions      for     violations     of    the    improper
    purpose prong of Rule 11.                Bryson v. Sullivan, 
    330 N.C. 644
    ,
    656, 
    412 S.E.2d 327
    , 333 (1992).                 “Further, both are subject to
    an objective standard to determine the existence of such an
    improper purpose.”          
    Id.
     (citation omitted.)              The burden is on
    the movant to prove an improper purpose.                      Brown v. Hurley, 
    124 N.C. App. 377
    , 382, 
    477 S.E.2d 234
    , 238 (1996).                              “Whereas a
    represented party may rely on his attorney’s advice as to the
    legal sufficiency of his claims, he will be held responsible if
    his evident purpose is to harass, persecute, otherwise vex his
    opponents, or cause them unnecessary cost or delay.”                            Bryson,
    
    330 N.C. at 663
    , 
    412 S.E.2d at 337
     (citation omitted).
    In   Bryson,   the    defendant          specifically    alleged       that     the
    plaintiffs’      complaint       was    filed    for    the   improper       purpose   of
    harassment,      delay,     and    needlessly          increasing      the    costs     of
    litigation.       However, the trial court denied                   the defendant’s
    motion for Rule 11 sanctions.              
    Id. at 652-53
    , 
    412 S.E.2d at 331
    .
    Our Supreme Court considered whether litigants who rely in good
    faith upon advice of counsel concerning the legal basis for
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    their claim could have sanctions imposed against them under the
    legal sufficiency prong of Rule 11.               
    Id. at 660
    , 
    412 S.E.2d at 335-36
    .    Because     the   evidence      supported    a    finding   that    the
    parties acted in good faith upon the advice of counsel, the
    Court held that the parties could not have sanctions imposed
    against them based on the legal sufficiency prong of Rule 11.
    
    Id. at 662
    , 
    412 S.E.2d at 336-37
    .           In addition, the evidence was
    insufficient   to    sustain   sanctions     under     the   improper    purpose
    prong of Rule 11.      
    Id. at 664
    , 
    412 S.E.2d at 339
    .             In Taylor v.
    Collins,   this     Court    held   that    the    imposition     of    Rule   11
    sanctions was improper when the respondent relied in good faith
    on his attorney regarding the legal sufficiency of his claims.
    
    128 N.C. App. 46
    , 53, 
    493 S.E.2d 475
    , 480 (1997).
    Examples of circumstances from which an improper purpose
    may be inferred include the service or filing of excessive,
    successive, or repetitive papers, the filing of meritless papers
    by counsel who have extensive experience in the pertinent area
    of law, filing complaints with no factual basis for the purpose
    of fishing for evidence of liability, and continuing to press an
    obviously meritless claim after being specifically advised of
    its meritlessness by a judge or magistrate.                 Mack v. Moore, 
    107 N.C. App. 87
    , 93, 
    418 S.E.2d 685
    , 689 (1992).
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    In the instant case, the trial court found and concluded
    that plaintiffs’ motion to extend the statute of limitations was
    made for an improper purpose, to cause unnecessary delay, and
    was   not    well       grounded   in     fact.     Specifically,      the   Rule    11
    sanctions were based solely on the trial court’s conclusion that
    Hearn’s statement that he needed to collect “pertinent medical
    records”    was     a    “misrepresentation         to   the   Court.”       However,
    nothing in the record indicates that plaintiffs misled Hearn
    regarding the facts and circumstances of their claims.                       Instead,
    plaintiffs relied in good faith upon Hearn’s legal expertise and
    his    prior        experience       in       medical      malpractice       actions.
    Defendants, as the moving parties, had the burden of proof.
    However, defendants did not present any evidence showing that
    plaintiffs were at fault for the delay caused by Hearn’s request
    for additional time, nor that plaintiffs’ purpose for the motion
    was to “harass, persecute, otherwise vex [their] opponents, or
    cause them unnecessary cost or delay.”                   Bryson, 
    330 N.C. at 663
    ,
    
    412 S.E.2d at 337
     (citation omitted).
    In    the   motion,     Hearn       stated    he   needed   to    “secure     all
    pertinent    medical       records      of    the   decedent,”    that   decedent’s
    “medical treatment must be reviewed by a person or persons who
    are reasonably expected to qualify as an expert witness(es),”
    -9-
    and that it was “very likely that medical experts in several
    distinct areas of medicine” would be needed to review decedent’s
    treatment.      Hearn specifically testified at his deposition that
    he included the statement in the motion to extend the statute of
    limitations because
    certain experts[] demand certain medical
    records. I could not on the date I did this
    motion [sic] tell you that there may not be
    medical records that I did not have at the
    time that could be medical records that a
    nephrologist or a nursing care . . . expert
    would think pertinent and therefore needed
    to be secured.
    Hearn   also    indicated    that   in   his      previous   experience       with
    medical    malpractice   and    wrongful    death     cases,    prior   medical
    records    were    usually     necessary,      and    this     impression      was
    supported by a potential expert who indicated that decedent’s
    pre-existing medical conditions would be an issue for an expert
    witness.
    At his deposition, Hearn testified that when he attempted
    to contact nephrology experts in September and October 2009,
    prior to the expiration of the initial statute of limitations,
    Hearn discovered that the experts were unavailable to review the
    case until their return from a professional conference.                      Hearn
    knew the time would be close to or after the expiration of the
    statute    of   limitations.     Hearn     also    testified     that   he    had
    -10-
    contacted several experts who were unwilling to become involved
    in the case.     One of the experts indicated that decedent’s age
    and pre-existing medical conditions caused some concern. Hearn
    also stated that plaintiffs were unaware of the details of some
    of decedent’s previous medical procedures.
    Even though the trial court based its decision to impose
    sanctions and dismiss plaintiffs’ complaint on a finding that
    Hearn had misrepresented his need for additional medical records
    and filed the motion to extend the statute of limitations for
    the improper purpose of undue delay, those findings are not
    supported by the evidence in the record.           While hindsight shows
    that Hearn did possess the 2007 treatment records at the time he
    filed the motion, and did not secure any additional records
    during   the   extension   period,    “in   determining   compliance   with
    Rule 11, courts should avoid hindsight and resolve all doubts in
    favor of the signer.”       Coventry Woods Neighborhood Ass’n, Inc.
    v. City of Charlotte, 
    213 N.C. App. 236
    , 243, 
    713 S.E.2d 162
    ,
    167 (2011) (citation omitted).
    Defendants, as the moving parties, had the burden of proof.
    However, defendants did not present any evidence showing that
    plaintiffs were at fault for the delay caused by Hearn’s request
    for additional time, nor that plaintiffs’ purpose for the motion
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    was to “harass, persecute, otherwise vex [their] opponents, or
    cause them unnecessary cost or delay.”              Bryson, 
    330 N.C. at 663
    ,
    
    412 S.E.2d at 337
        (citation     omitted).          The    trial    court’s
    findings    of    fact   are     not   supported   by    a    sufficiency      of   the
    evidence in the record, and the record evidence in the instant
    case indicates that Hearn’s motion to extend the statute of
    limitations was imposed for a proper purpose and not undertaken
    in bad faith.         Therefore, the trial court’s conclusions of law
    are   not   supported       by   the    findings   and       do   not     support   the
    judgment.        Turner, 
    325 N.C. at 165
    , 
    381 S.E.2d at 714
    .                        The
    trial court improperly imposed sanctions in setting aside the
    extension      of     the    statute     of     limitations         and    dismissing
    plaintiffs’ complaint.           We reverse.
    Reversed.
    Judges BRYANT and GEER concur.
    Report per Rule 30(e).